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Credit Rating Model: Collateral Analysis Tabulator For Container Securitizations Jan 11

Standard & Poors, Jan 2011


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Abstract
The Collateral Analysis Tabulator for Container Securitizations is a Microsoft Excel-based model Standard & Poor's Ratings Services uses to generate asset-level projections to input into its cash flow model for container lease securitizations. Standard & Poor's uses the Collateral Analysis Tabulator for Container Securitizations to organize asset data and provide aggregate collateral-level projections at various rating stress levels to input into our cash flow model when analyzing container lease securitizations. The Collateral Analysis Tabulator generates stressed collateral projections that vary by the rating of the tranche being analyzed and the characteristics of the underlying collateral. We then enter the output from the model into S&P Cash Flow Evaluator, the model we typically use to generate cash flow analysis for these...

Standard and Poors RatingsXpress Credit Research provides in-depth coverage of international corporates, financial institutions, insurance companies, utilities, sovereigns and structured finance programs. RatingsXpress Credit Research lets users determine the credit rating of holdings and identify key factors underlying an issuer's creditworthiness, distinguishes the different risk exposures for new and existing deals, and provides an understanding of how their analysts interpret key regulatory, political and environmental events and their economic impact.

Research Type: Commentary
Criteria articles describe the thought process and methodology Standard & Poor's analysts use in determining ratings. These commentary pieces discuss both the quantitative (economic and financial) and qualitative (business analysis and caliber of management) aspects of the analysis, as well as legal issues.




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